11.30 13.22 10.17 10.22 --- --- 09 Faysal Financial Sector Opportunity Fund 33.76 6.75 0.00 4.85 5.27 7.08 7.41 9.15 --- --- --- --- --- --- --- --- --- 10 Faysal MTS Fund 17.75 5.92 0.00 5.63 6.14 5.98 --- --- --- --- --- --- --- --- --- --- --- 11 First Habib Income Fund 111.95 9.33 0.00 5.24 6.29 6.66 10.10 7.64 9.42 10.29 10.94 10.60 6.42 9.30 19.05 --- --- 12 HBL Government Securities Fund 71.73 8.97 0.00 4.74 5.54 7.85 11.75 8.78 9.52 11.85 11.70 --- --- --- --- --- --- 13 HBL Income Fund 108.06 9.01 0.00 4.98 4.64 6.12 12.45 9.91 7.69 12.35 13.49 13.60 4.20 9.39 9.24 --- --- 14 JS Income Fund 129.96 8.12 0.00 5.93 7.00 6.34 10.64 7.67 10.60 13.10 3.95 -8.29 11.93 9.87 10.49 12.40 10.72 15 Lakson Income Fund 86.77 9.64 0.00 5.23 6.92 8.57 14.17 8.38 9.21 11.60 11.50 11.19 --- --- --- --- --- 16 MCB Dynamic Cash Income Fund 114.65 9.56 0.00 4.62 6.50 6.23 12.64 10.79 9.82 10.80 12.85 11.03 9.36 9.81 10.20 --- --- 17 MCB Pakistan Sovereign Fund 108.09 9.83 0.00 5.08 5.89 7.30 16.69 9.26 12.32 11.32 10.27 10.13 13.96 5.87 --- --- --- 18 MCB Pakistan Income Fund 147.70 9.23 0.00 4.77 6.90 6.14 11.30 8.13 7.26 9.41 12.50 14.01 8.86 9.26 10.70 10.16 9.58 19 NAFA Financial Sector Income Fund 61.29 8.76 0.00 6.02 8.35 6.39 10.90 7.94 9.27 12.42 --- --- --- --- --- --- --- 20 NAFA Government Security Saving Fund 31.59 7.90 0.00 5.01 5.75 6.46 14.37 --- --- --- --- --- --- --- --- --- --- 21 NAFA Income Fund 51.63 4.69 0.00 5.53 6.52 6.91 13.73 2.31 6.90 -6.90 -4.24 8.69 3.91 8.27 --- --- --- 22 NAFA Income Opportunity Fund 106.23 8.17 0.00 5.33 6.28 7.49 13.21 16.60 10.33 -0.54 5.49 5.81 5.49 9.85 10.76 10.13 --- 23 NAFA Saving Plus Fund 76.72 8.52 0.00 5.45 8.11 6.27 8.67 7.91 8.76 11.04 10.64 9.87 --- --- --- --- --- 24 NIT Government Bond Fund 79.07 8.79 0.00 5.06 5.28 5.78 13.88 7.64 9.93 9.76 11.18 10.56 --- --- --- --- --- 25 Nit Income Fund 81.21 9.02 0.00 5.22 5.37 5.87 14.11 7.06 9.56 12.34 12.10 9.58 --- --- --- --- --- 26 Askari Sovereign Yield Enhancer Fund 59.47 8.50 0.00 4.57 4.83 9.21 10.74 8.82 10.98 10.32 --- --- --- --- --- --- --- 27 Pak Oman Government Security Fund 53.00 7.57 0.00 4.30 4.28 8.75 8.63 7.08 9.20 10.76 --- --- --- --- --- --- --- 28 UBL Government Securities Fund 64.21 9.17 0.00 4.71 4.81 8.95 15.47 8.26 9.90 12.11 --- --- --- --- --- --- --- 29 UBL Income Opportunity Fund 43.81 7.30 0.00 4.31 4.73 7.69 10.86 6.99 9.23 --- --- --- --- --- --- --- --- " /> Top Income Funds FY 2005 - 2018 (Conventional) - MUFAP Funds Return - Pro Itz

Author Topic: Top Income Funds FY 2005 - 2018 (Conventional)  (Read 1317 times)

Naeem Amjad

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Top Income Funds FY 2005 - 2018 (Conventional)
« on: May 25, 2019, 03:15:00 PM »

Conventional Top Income Funds Returns (FY 2005 - 2018)

Sort Table
S No                            Fund Name                          Total Average 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
01 ABL Income Fund 98.71 9.87 0.00 4.67 5.86 7.19 14.20 8.20 9.88 11.71 11.65 10.96 14.39 --- --- --- ---
02 ABL Government Securities Fund 66.48 9.50 0.00 5.09 6.59 8.02 15.14 9.17 11.79 10.68 --- --- --- --- --- --- ---
03 Dawood Income Fund 92.92 8.45 0.00 11.86 16.32 22.61 6.41 6.18 1.34 5.35 28.31 -1.85 -19.33 --- --- --- ---
04 AWT PIML Income Fund 56.31 9.39 0.00 5.99 4.69 11.70 16.97 8.24 8.72 --- --- --- --- --- --- --- ---
05 Atlas Income Fund 125.84 8.39 0.00 4.82 5.48 8.02 12.19 8.45 9.58 6.06 7.24 9.98 6.91 9.46 10.23 11.46 9.79
06 Alfalah GHP Income Fund 100.03 9.09 0.00 4.79 5.20 7.56 12.26 7.98 12.35 11.19 11.32 11.12 6.41 9.85 --- --- ---
07 Alfalah GHP Sovereign Fund 43.17 8.63 0.00 4.94 5.54 7.42 16.38 8.87 --- --- --- --- --- --- --- --- ---
08 Faysal Saving Growth Fund 116.03 9.67 0.00 4.90 5.99 7.75 12.81 8.81 8.67 11.14 11.05/td> 11.30 13.22 10.17 10.22 --- ---
09 Faysal Financial Sector Opportunity Fund 33.76 6.75 0.00 4.85 5.27 7.08 7.41 9.15 --- --- --- --- --- --- --- --- ---
10 Faysal MTS Fund 17.75 5.92 0.00 5.63 6.14 5.98 --- --- --- --- --- --- --- --- --- --- ---
11 First Habib Income Fund 111.95 9.33 0.00 5.24 6.29 6.66 10.10 7.64 9.42 10.29 10.94 10.60 6.42 9.30 19.05 --- ---
12 HBL Government Securities Fund 71.73 8.97 0.00 4.74 5.54 7.85 11.75 8.78 9.52 11.85 11.70 --- --- --- --- --- ---
13 HBL Income Fund 108.06 9.01 0.00 4.98 4.64 6.12 12.45 9.91 7.69 12.35 13.49 13.60 4.20 9.39 9.24 --- ---
14 JS Income Fund 129.96 8.12 0.00 5.93 7.00 6.34 10.64 7.67 10.60 13.10 3.95 -8.29 11.93 9.87 10.49 12.40 10.72
15 Lakson Income Fund 86.77 9.64 0.00 5.23 6.92 8.57 14.17 8.38 9.21 11.60 11.50 11.19 --- --- --- --- ---
16 MCB Dynamic Cash Income Fund 114.65 9.56 0.00 4.62 6.50 6.23 12.64 10.79 9.82 10.80 12.85 11.03 9.36 9.81 10.20 --- ---
17 MCB Pakistan Sovereign Fund 108.09 9.83 0.00 5.08 5.89 7.30 16.69 9.26 12.32 11.32 10.27 10.13 13.96 5.87 --- --- ---
18 MCB Pakistan Income Fund 147.70 9.23 0.00 4.77 6.90 6.14 11.30 8.13 7.26 9.41 12.50 14.01 8.86 9.26 10.70 10.16 9.58
19 NAFA Financial Sector Income Fund 61.29 8.76 0.00 6.02 8.35 6.39 10.90 7.94 9.27 12.42 --- --- --- --- --- --- ---
20 NAFA Government Security Saving Fund 31.59 7.90 0.00 5.01 5.75 6.46 14.37 --- --- --- --- --- --- --- --- --- ---
21 NAFA Income Fund 51.63 4.69 0.00 5.53 6.52 6.91 13.73 2.31 6.90 -6.90 -4.24 8.69 3.91 8.27 --- --- ---
22 NAFA Income Opportunity Fund 106.23 8.17 0.00 5.33 6.28 7.49 13.21 16.60 10.33 -0.54 5.49 5.81 5.49 9.85 10.76 10.13 ---
23 NAFA Saving Plus Fund 76.72 8.52 0.00 5.45 8.11 6.27 8.67 7.91 8.76 11.04 10.64 9.87 --- --- --- --- ---
24 NIT Government Bond Fund 79.07 8.79 0.00 5.06 5.28 5.78 13.88 7.64 9.93 9.76 11.18 10.56 --- --- --- --- ---
25 Nit Income Fund 81.21 9.02 0.00 5.22 5.37 5.87 14.11 7.06 9.56 12.34 12.10 9.58 --- --- --- --- ---
26 Askari Sovereign Yield Enhancer Fund 59.47 8.50 0.00 4.57 4.83 9.21 10.74 8.82 10.98 10.32 --- --- --- --- --- --- ---
27 Pak Oman Government Security Fund 53.00 7.57 0.00 4.30 4.28 8.75 8.63 7.08 9.20 10.76 --- --- --- --- --- --- ---
28 UBL Government Securities Fund 64.21 9.17 0.00 4.71 4.81 8.95 15.47 8.26 9.90 12.11 --- --- --- --- --- --- ---
29 UBL Income Opportunity Fund 43.81 7.30 0.00 4.31 4.73 7.69 10.86 6.99 9.23 --- --- --- --- --- --- --- ---